-
Global Bonds
Maturity |
Original Emission |
Reopening/Register |
Coupon |
Currency |
Total Amount on 07/29/22 |
ISIN |
Original Prospectus |
Reopening Prospectus |
03/17/2024 |
03/17/2014 |
|
6.250% |
USD |
570,254,000 |
US71647NAM11 |
 |
|
01/14/2025 |
01/14/2014 |
|
4.750% |
EUR |
281,945,000 |
XS0982711714 |
 |
|
01/27/2025 |
09/27/2017 |
09/20/2018 |
5.299% |
USD |
648,491,000 |
US71647NAT63, USN6945AAJ62 e US71647NAV10 |
|
 |
05/23/2026 |
05/23/2016 |
07/13/2016 |
8.75% |
USD |
430,339,000 |
US71647NAQ25 |
 |
 |
12/14/2026 |
12/12/2011 |
|
6.25% |
GBP |
490,498,000 |
XS0718502007 |
 |
|
01/17/2027 |
01/17/2017 |
05/22/2017 |
7.375% |
USD |
829,554,000 |
US71647NAS80 |
 |
 |
01/27/2028 |
09/27/2017 |
09/20/2018 |
6.999% |
USD |
1,246,669,000 |
US71647NAW92, USN6945AAK36 e US71647NAY58 |
|
 |
02/01/2029 |
02/01/2018 |
03/19/2019 |
5.750% |
USD |
630,712,000 |
US71647NAZ24 |
 |
 |
10/01/2029 |
10/01/2012 |
|
5.375% |
GBP |
300,322,000 |
XS0835891838 |
 |
|
01/15/2030 |
09/18/2019 |
09/15/2020 |
5,093% |
USD |
702,413,000 |
US71647NBF50, USN6945AAL19 e US71647NBE85 |
|
 |
01/03/2031 |
06/03/2020 |
10/21/2020 |
5.6% |
USD |
1,405,798,000 |
US71647NBH17 |
 |
 |
01/16/2034 |
01/14/2014 |
|
6.625% |
GBP |
416,954,000 |
XS0982711474 |
 |
|
01/20/2040 |
10/30/2009 |
|
6.875% |
USD |
763,122,000 |
US71645WAQ42 |
 |
|
01/27/2041 |
01/27/2011 |
02/06/2012 |
6.75% |
USD |
761,771,000 |
US71645WAS08 |
 |
 |
05/20/2043 |
05/20/2013 |
|
5.625% |
USD |
396,255,000 |
US71647NAA72 |
 |
|
03/17/2044 |
03/17/2014 |
05/22/2017 |
7.25% |
USD |
999,932,000 |
US71647NAK54 |
 |
 |
03/19/2049 |
03/19/2019 |
|
6.9% |
USD |
900,023,000 |
US71647NBD03 |
 |
|
06/03/2050 |
06/03/2020 |
|
6.75% |
USD |
603,894,000 |
US71647NBG34 |
 |
|
06/10/2051 |
06/10/2021 |
|
5.500% |
USD |
921,783,000 |
US71647NBJ72 |
 |
|
06/05/2115 |
06/05/2015 |
|
6.85% |
USD |
1,950,574,000 |
US71647NAN93 |
 |
|
Last updated on
February 19, 2021.